ANNUAL
REPORT
GREAT LIGHT
CHURCH
2024
.XF-I
Prepared By .
MARILYN
FRIMPONG
info@glclondorLchurch
+44 (0)207 0017700
M.glclondon.church

Great Light Church
Annual Operations Report
Year ended 315t December 2024
The trustees present their report and the financial statements of the chartty for the year
ended 31" December 2024.
Reference and administrative details
Registered tharity name:
Great Light Church Limited
Chaiity Registrdtion number
1193487
Company Number
09915575
Principal Office
2 Ftoor. 57 Skylines Willage.
Limeharbour.
London
E14 9T5
The Dirertorifrustees,
Mrs Adebimpe Ogunleye
Mr Opeolu Awolesi
Mr Adetunji Aderin
Mr Hafis Joel Raji
Mrsjane Maku
Accountant
Wensky Services
399 Victoria Road
Ruislip
HA4 OEF
Bank
Barclays Bank PLC
Le1￿$ter
LE87 2BB
Strurture, Governance and Management
Governing Document
The charity is controlled by its governing documenL a deed of tru5¢ and constitutes a
limited companyfft lirnited by guarantee, a5 defined by the Companies Act of 2(M)6.
Risk management
The trustees have a duty to identify and review the risks to which the charity is exposed
and to ensure appropriate controls are in place to provide reasonable assurance againrt
fraud and error.

WHO WE ARE:
Great ￿ght Church is a dynamic. multicuftural church with global outreach based in London.
Canary Wharf. Founded in December 2010 by Pastor Opeolu Awolesi, GLC was formally
registered with the Charity Commission on 23 May 2011, but with Standard registration on
10 February 2021. 05 December 2022: Funds receNed from 1147413 GREAT UGHT CHURCH
OUR MISSION
'Our mission is to spread the gospel of Christ Jesus. making it accessible and relatable to all.
rooted in Matthew 6.33: 'But seek ye first the kingdom of God, and His righteousne55: and
all these things shall be added unto you.. We are committed to prioritising God's kingdom in
all we do, influencing society in alignment with His purpose, expanding His kingdom both in
reach and numbers, and enforcing the kingdom agenda through the power of prayer."
OUR VISION
Our vision is to transforni our communities both localty and globally by supporting and
developing individuals to be the best version of themselves.
Our 5 Ps:
People
Every individual is precious. and Jesu< &Kr[fi￿ show5 your worth. We are comrnitted to
nurturing meaningful relationships and positively impacting each otherfs lives.
Pu rpose
God has a unique purpose for everyone. As you seek Him* you'll uncoverthe reason for
your existence. We are dedicated to guiding you in discovering and fulfilling that purpose.
Power
We believe in the transfomiative power of the Hofy 5piri¥ who empowers us each dav.
Through His strength. we can influence and change the worfd.
Prèver
Prayer is our f0undation-wltho￿ it, we lack power. Everything we do is r4)oted in prayer.
knowing it connects us to God's will and strength.
Praise
We praise God to acknowledge His greatness. power. and presence Tn our lives. Praise
invites God into our rnidst, as He dwells in the atmosphere of worship.

OUR OBJEcfivES
Our primary objective is to advance the Christian faith globally and alleviate poverty by:
Providing a platfonn for members and followers to grow and develop in their faith
and personal lives.
Creating an environment where individuals can cultivate a personal relationship with
God.
Promoting active involvement in community development and fostering a sense of
social responsibility.
Encouraging members to utilise available resources and opportunities to achieve
their life goals.
Facilitating interartion among members to leverage networking opportunities for
mutual growth and success.
The church has been able to achieve these objectNes to a level by depending predominant
on volunteers but as the church operations become larger, ivs become more important to
have full-time staff to manage the charity operations on a daily basis. This is due to the need
for effectivene55 and efficiency in order to maximise opportunities and manage resources to
achieve the charl￿5 main goals.
Weekl Artivities
Weekly gatherings designed to bring the community together. provide teaching about the
Christian faith. and empower volunteers to exercise their faith practically in service to
others- both within the church and beyond the tour walls of the church.
Tuesday Watchmen Meetings- A dedicated weekly time for prayer and intercession.
covering the needs of our church, the local communtty, and the entire UK. We invite
personal prayer requests during this time and have witnessed countless testimonies
as a result. These online meetings are accessible to everyone. ensuring broad
participation. Additionally, prayer is offered during our Sunday services. wtth an
anonymous prayer booth available for confidential sUPPOrt. At GLC, prayer is a
foundational pillar that has sustsined and strengthened us throughout this season.
Wednesday Midweek IPlug-inl- Plug-in is our midweek serwce. We have online
teaching groups. which have boosted the interactivity of our midweek services and
allowed us to engage those who otherwise would not attend a physica5 service.
Thursday choir1192 Worship) rehearsal- The worship team meets for weekly
rehearsals. Furtherrnore. the Plug-in Teacherfs group also meets for a weekly review
on Thursday evenings. where they plan. troin. and Prepa￿ to teach the weekly Plug-
in sessions.
Sunday Worship Services- Every Sunday at 10:CKI a.m., we begin with a workers and
volunteers meetrng. Our main Sunday service follows at Il=(KJ am, available both in
person and online via YouTube. At the same time. the children's church, Surge,
offers a hybrid service. with options for in-person attendance and participation via

Zoom.
Counselling support. which is open to the tommunity. is available throughout the
weeL So. no matterthe Situation. access is available to book a session with a life
coach, pastor or minister for counsel or prayer. These sessions are offered both
virtually and in person and can be booked via our website.
Attendance
iewershi
GLC continues to offer hybrid servites. Please see below the culmination of both viewership
and ststistics of physical attendance.
Image A shows our average attendance per Sunday throughout 2023 versus 2024. The
average monthly attendance at Great Light Church IGLCI London showed a consistent
upward trend in 2024 compared to 2023. Wtth the eX￿ptiOn of December, every month in
2024 recorded higher attendance figures than the same month in the previous year.
Notable increases were observed in May. June. and September. reflecting the impact of
intentional engagement efforts and well-received events during those periods.
April 2023 had the highest attendonce for that year. while September 2024 marked the
peak for 2024. The slight dip in December attendance across both years may be attributed
to seasonal travel and reduced programming.
Overall, the data reflects strong year-on-year growth and sustained community interest in
GLC'S gatherings.

Average Church Attendance GLC 2023vs 2024
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The data las shown in image Bl indicates a 4.11% decrease in viewership from 2023 to 2024
a significant improvement compared to the 20% drop recorded the previous year. This
suggests greater retention and sustained interest in GLC'S digital presence. Given that GLC
operates a hybrid service model with an international audience. it's important to note that
some subscribers may continue to engage exclusbvety online due to geographical
constraints.

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Education & Discipleship at GLC
Believer< Cla55
Our foundational class for new believers restsrted in 2024 due to an influx of new members.
This class serves as a vitsl introduction to the Christian faith. providing essential guidance
and sUPPOrt for those beginning their spiriiual joumey.
Plug-in Bible Study
Plug-in. our interartive Bible study Eroup, previous￿ held in person before church on
Sundays, as was the prartice prior to the pandemic. However. in early 2024, we transitioned
Plug-in to an online format in a bid to increase accessibility and engagement.
Prayer Ministry
Prayer ￿MaInS at the heart of GLCS mission. providing spiritual strength and unity for our
community. The GLC Watthrnen, our prayer team. meets weekly online to intercede for our
church. the local community. and the nation.

Each Sunday, we also offer a confidential prayer booth after service, where indNiduals can
receive personal support and encouragement.
Children and Youth Ministries
Surge Children's Ministry- 202412025 Report
The past year in Surge Children's Church has been rnarked by steady growth and thoughtful
refinement. A new operational strategy was introduced to ensure smooth delivery and strict
adherence to safeguarding policies. Attendance has consistently increased. and children are
now grouped by age. allowing for more effertrve. age-appropriate leaming and interartion.
We continue to provide a safe, happy. and welcoming environment, with adult supervision
at all times. Parents are regularly updated on their children's progress, reinforcing our
commitment to partnership and transparency. Healthy snacks, including fruit and other
allergen-safe options. are provided. with clear protocols in place for parents to inform us of
any allergies or medical needs.
In summary. Surge Children's Church is thriving. There have been no major incidents to
report. and the ministry is well-posttioned for another exciting year of growth, engagement,
and spiritual development.
FLAME Teens Ministry- 2024 Highlights
Teens Church was relaunched in September 2024 with a team of four, and is now led by
Jonny, Sandra, and Brian, who have buift a strong connettion with the teens. Together, they
established a team identity under the name FIAME Fulfilling God's Will, Learning to Love.
Ambassadors of Christ, and Mighty Anny of Excellence. Attendance has grown steadily, with
five regular participants and up to eight on some Sundays. To encourage deeper
engagement, physical Bible5 were provided. resulting in greater focus and consistency.
The leadership team meets every Monday at 7 PM to pray. review previous lessons, and
plan upcoming sessions. At Christmas. the teens led an outreach inttiative, donating 20
hampers to a local shelter. Looking ahead. they will begin rotational work experience across
church departments on Thanksgiving Sundays in 2025. fostering broader involvement in
church life. Jonn¢s leadership has been particularly impattfvl. with teens regularly
requesting him to lead their sessions.
In svmmary, Teens Church has experienced meaningful growth in both participation and
spiritual development. laying a solid foundation for continued impact in the year ahead.

Church Life: Month-by-month in 2024
January
Annual Thanksgiving servi￿ and Wision Sharing
Holy Spirit Weekend concluded the month
February- Month of Unity
"Beyond the Pulpiv podcast on love and relationships
Interactive Q&A session
Church hangout at a local arcade for families and newcomers
March
Monthly Communion Service
Motherfs Day Panel featuring women at various stages of motherhood
Ended with a reflective Wigil
April
• Easter Celebrations:
0 74ay Prdyer & Fasting
o Good Friday Servi￿ and BaptiSrn
o Easter Sunday Celebration
Regular services and communion continued throughout the month
May
GLCS 13th Anniversary
Adorar Worship Concert of thanksgiving
Children's Day SeThi￿ led by the knds. It was a wonderful display for what the kids
have been leamin& they took over the entire service so worship to preaching the
word.

June
• Post-service community garnes aftemoon
Fatherf5 Day Service 16th June led by the Men's Ministry, including a panel
discussion Young Life Fundraiser. 30th June (Sending a group of teens to summer
evangelistic camp)
Children's Day Service: 23rd June (Expo and emFK>wenrent of the children in
taknng over the main service.)
July
Faf(hworks: We held a community Outreach program of free health checks with
medical professionals and charities in the locality. sharing HIV awareness. Beach
Trip to Margate: 20th Juty
We also offered free coding and website training for the children and teens
throughout July & August.
August- Month of Distinrtion
Ypc free training sessions on topics like Finan￿ and Excel basics.
The kids coding and web design sessions were completed. We also offered free
codin8 and website training for the children and teens throughout July & August.
September
A quieter month following a full summer
Regular Sunday servi￿$ onty. allowing the thurch to rest and recharge
Ortober
Start of our annual volunteer cycle
Member5 began signing up forone-yearternis in various departments
Preparations began for Novemberfs training and vision casting

November
Quiet overall but featured=
'The worshippe￿ Worship Night
O Launch of Warni Wjnters Outreach, distributing care pack5 led by the teens
church.
December
A vibrant Christmas season at GLC:
o Outdoor Community Carol Service
o Workerfs Christmas party
o ￿ Nights of Grace"_year*nd vigils to usher in 2025
GLC Church Offerings KEY:
Preqnarital aass
A series of classes designed for singles to help them make infornied choices in selerting a
life partner. The course also provides a deeper understsnding of what to expect in marriage,
laying o solid foundation for futu￿ relationships.
Spark
A ministry focused on enriching marriages by keeping the spark alive. Through seminars.
retreats, fun artivtties and a community network. Spark help5 couples maintsin vibrant and
thriving Godty marriages.
The Community
The Community is a ministry dedicated to empowering singles to thrrve in all areas of life,
including their rareers. relationships, and business ventures. It promotes personal growth
and influence while helpin8 indiwduals build lasting relationships with like-minded peers.
Plug-in
A session of topical lrfe tssues taught and discussed frorn a Christian perspertive. This
session, unlike services. allovts for interattivity and questioning and Ès a key form of learning
for most members at GLQ
Surge
Is the name of the Children's ministry at Great Light Church. We are committed to fostering
safe. lovin& and Christ<entred environment for all children involved in our ministry. The
surge church caters for ages 3-16.
Connection Class- A class held every couple of months for new joiners to be taught the
vision and to find out about GLC and whether they would like to make it their home base.
They are given a minister and infonned of the different volunteering opportunities and
offerings available a5 a church member.

Young Professionals Connect IYPC) is a social enterprise that aims to provide a plafftim) for
young professionals to connect and c￿ate networking and leaming opportuntties that will
support progression into senior leadership positions
GLC Pearls
Pearls is the women's ministry at GLC. offering support through prayer. training, and
relationship counselling. It also provides pre- and post-natal assi5tsnce. helping women
confidently navigate different stsges of Iwfe with compassion and guidance.
Adorar
An annual worship concert celebrating the church's anniversary and God's faithfulness. This
event includes performances by choir members and guest ministers. wÉth plans for even
larger celebrations in the fLrture.
Faith Works
A mission-driven initiative aimed at putting faith into action through charitable works. The
GLC Volunteers Network facilitates this outreach, alongside a special conference to remind
participants that faith without action is incomplete.
Wam Winters
An outreach initiative providing care packs with essential supplies to London's homeless and
rough sleepers during the winter months.
Believers, Class
A foundational six-week course for new believers. guiding them through the core principles
of the Christian faith and supporting their spiritual journey.

REGIsfERED CHARITY NO: 1193487
Company number 09915575
REPORT
F THE TRusfEES AND
FINANCIAL sfATEMEN
FOR THE YEAR ENDED 31 DE
MBER 2
24
T LIGKr
CH LTD
57 Skyline Willage Limeharbour
Canary Wharf
LONDON E14 9

3to4
Independent examin&s rewrt
ststement of financid thitjes
Balan￿ sheet
Notes to the finarKial staten
8-57

REDEEMED CHRIsfIAN
URCH
GREAT Li
NECTION
REPORT OF THE TRusfEES
R THE YEAR
DED31D
BER 2024
The trustees present their reports with Ihe fmancyal Statements of the charity ftythe year ended
31 December 2024.The trustees have adopted the prowsions of the statemenl of rerA)mmended pract
{SORP} A¢(x)unting aThJ Reporbng by Charrb"es' issued in March 2CK)S.
CHARtTY INFORMATION,REFERENCE AMD ADMINISTRATWE D￿AlLs
Registered Charity Numbgr. 1147413
Registered Company Number. 09915575
Addres5: 57 Swine Village
Limeharbour
London
E14 9TS
Tntstees: Mrs Adebimpe Ogunwe
Mr Hafis Joel Raji
ADERIN, Adetunji Babatunde
MAKU, Jane Ades￿l
Secretaw. MAKU, Jane Adesu
Banka5: Bardays Bank PLC
Lewter
LE87 2BB
The Management Committee presents its reports and accounts of the ¢ornpany for the year ended 3151 Dec
2024. The at£ounts ojmpty with the current statutory requirements. the requirements of the Organisation's
Memorandum and Artides ofAssociation. and the stateM￿t of Rewnmended Practice'A¢¢ounling and
Rèporling by Charities 2005.. This report is a Diredors. RepNt required by S234 of the Companies Act 20(h.
All voting members of the Managemem Committee are diiecaors.
Struetufy. Govemance and Management
The Company incorporated as a Company ￿rnited by Guarantee on the 14th Dec 2015.
It is a 'Not for Profiv organisation. The Company wa5 eslablished under a Memorandum ofAssooation which
estsblished the objects and kx)wers of the company is govemed under its Athles of Association.
registered as a charity on 1st Januray 2012. In the of the o)mpany beiThJ wound up rnembers are
required to contribute an amr4Jnt not exceeding £1.
Public Benefft
The CharEty IJu5tees have compiled with theiT duty to have due reg*d to the guidan￿ on public benefit
published by the Commiwon in ex￿￿sIng their p￿r$ or duiies. This is parbculaJ1y important in ensuring
Ihat proieds undertaken will provtde a pubJK benefft to Ihe communty served by the thanty.
Governing document
The ¢hanty is controlled by g)vwniTh3 dOr￿ment aThJ a of InLS( and constibJles a limited c¥xnpany. limited
guarantee. as defined by the Companies Art of2C(6.

Risk Management
The trustees have a duty to Klerttify and revie4V ts risks to vthith the dwity i8 exposed and to ensure th*
appropriate (xjntrols are in pkce to provKle reasonaNe assurance against fraud and error.
The Management Committee have a target level of unrestrided reserves of three months of core &hvity,
appioximatety £10,C(O.
Obje¢live and Aims
Our primary objective is to ailvance the Christian faith worfthwde in a¢¢ordance and the relief of poverty by.
Encouraging and pioviding developmenlal platf(wm for its rnembers and folk)wers.
Providing an enabling en¥ironment for people to devekjp personal relabonship with God
Encouraging indmduais to be invofved in community dèvelopment and uphokj soiial responsibilittes.
Encouraging members to m￿MIse avaikble ￿sOurceS and opporbjnities to achEve their lrfe Goals.
Encouraging interactrsn am(x)g membw5 to ￿￿rage on fte￿ing opwmtunrt
The churth has been ablè to achENe these objei*ves to a ￿Ve1 by deperiding predominatety on volunteers but
the church operations become Earger. ifs become more Im￿rtant to have fulktime staff to manage the charity
operations on daity bas￿. This is due to thè need for effediveness arKI effviency in order to m8ximise
opportunitiès and manage resources to athieve the tharitys main goab.
Diftetors
The directors of the company (Managemenl Cornmittee), who are aLso the trustees under
the chanb.es Acl, who seNed during the sear end and to date were".
Mrs Adebimpe Ogunleye
ADERIN, AdetLbnji Babatunde
Mr Hafis Joel Raji
Mrs MAKU. Jane Adesuyi
Mr AWOLESI. Opeohj Qkntomo
ON BEHALF OF THE BOARD:
Mr Hafts Joel Raji
Trustee

GREAT LIGTrrr CHURCH LTD
FINANCIAL sfATEMEtIts FOR YEAR ENDED 31 DECEMBER 2024
INDEPENDEKf EXAMINER'S REPORT
We re￿rt on the finarKial stst&nents fry tr* y83r 31 t*em*. 2024 whhal are *t out on
pwious pag
Respective rwinsibilibes
The trustees 15 resp)nsible the of the financial and considtr that the audit
reQuIre￿￿nt of Sedion 43(2) of the Charibes kt IYJ3 (the Art) ¢kns not aprAy. It is my resrxJn&bility to
state. on the l)ags of 4*afied in the Ger*rnl tir&lK>ns given ty the tharity Commis90ners
undw Secticffl 43(7)(b) of the byhether pattrutar rmtters have (rn)e to my attenb"on.
Our examinatr'on was carried out in wrth ts ffftral Dirthins of the ￿rity ComMis￿ners.
An examinab.on indudes a of ￿ ￿E￿nting records kept by the tharity arKt a comparig)n of the
accounts pre*nted wrth tho* records. It akn irKILths ccnsideratiori of any unuwal items or th"￿￿S￿re$
in trE financial stst￿nts. and seeknng eyp￿natr￿￿ o)ncwniTrJ any 9Jd) matters. The ￿%￿lureS
undertaken do not prowde all the eviden￿ that %￿U[d te NUIr￿ in an audtL and ConSequ￿￿y I do mt
express an audrt opinion on the gNen ty the ffinanaal skt&w)t&
Independent Examinetrs S￿t￿Tr￿t
En connection wth my examinabon ￿the ￿unts. nothiThJ to my attenti(￿ which gave me (ause
to telieve otherwise than that the financial stat￿￿ the ￿)untir￿j r￿rdS of the tharity, and
that those records 5atisfi8J the requirements of the ACL l am not awdre of any matter to whith att￿ts.0n
should be dJawn in order to enalAe a pwoper uTrknstandiThJ of the rma￿la1 Stat￿ts to ￿ reached.
Sign8J by Ihe Inde[￿tht Ex3miw. .......
date:
2810812025
WENSKY SERVICES
(Accountsnts & Man￿eMent CtN)9Jltsrq)
399 Wictoria Road
South Ru&lip
London HA4 OEF

Charity Name.. GREAT LIGHT CHURCH
591 Si75
eriod
PeE￿ end
date
Annual accounts for the
To
Period 5tsrt date
0110112024
3111212024
Section A Statement of financial activities (including summary income
and expenditure account)
Rèstricted
Prior year
funds
R•commÈnded c•tÈgories by activity
funds
funds
Total fvnds
Incorne (Note 3)
F01
F02
F03
F04
F05
In¢ome and end0vM￿rtts fyorn:
DDn3ti0ns * Wies
295 338
5 330
300 668
293 829
Investrnerrts
Separak mawial ofwAre
Olher
364
295 702
364
301 032
236
294 065
Total
Expenditure (Notes 6)
507
5330
expendltUTe on:
Ra￿1￿9 funds
Ch¥ritsb* acbvibes
136 562
74 449
56 648
16 837
284 496
136 562
82 699
56 648
16 837
292 747
134 348
71 353
56 620
18 839
281 159
8251
S10
Othèr
Total
S12
8 251
Net incomellexpenditure) before tax for
the reporting period
Tax pay3trAe
Net incomellexpenditure} after tax
before investrnent gainsl(losses)
S13
11 207
2921
8286
12 906
S14
S15
11 207
2921
8286
12 906
gain￿ll(l$Se$I OD
Investments
S16
Net incornellexpenditure
Extraordinary items
Transfers between funds
Other r￿ognISed gainslllosses):
$17
S18
11 207
2 921
8 286
12 906
S19
Gainsand k)sses w reV8bJatyc￿ Off￿ as￿￿ trtr*
0th8rgansllkJ%sesl
Net movement in furnts
11 207
2 921
8286
12 906
Reconciliation of
funds."
Totsl funds trought fo￿r￿
rotal funds Ca￿led fonvard
22 722
33 929
15 903
12 982
38 625
46 911
38 625
51 531

1147413
9915575
Section B
Balance sheet
Fixed assets
Intrngible assets
Tangib58 assets
Heritage assets
Investments
F01
F02
F03
F04
F05
(Note 151
INote 141
INotÈ 161
INote ln
46 301
46 301
36 020
46 301
46 301
36 020
Current assets
Stocks
(Note 181
Debtors
INote 191
Investments
(Note 17AI
Cash at bank and ift hand INc*e 241
Totsl Gwyvntassets B1U
2491
2491
2491
12 483
12 483
14 974
35 490
37 981
14 974
Credrtor¥". amounts lalling d￿￿1th1
one year
(Note 201
14 364
14 364
22 470
610
610
15 511
ro(￿￿$$ets kn current[￿bith$ 813
51 531
Creditorn: omounts falling after
one year
(Note 201
Pro*sions f¢*r IK4biliti6s
B14
B¥5
Total net assets orliabilibes
46 911
46 911
51 531
Funds of the Charity
endowment fund$ (Note 271
Restricted income fund5 Imth m
Unrestricted funds
RÈ*dluation rese
Fair value rese
817
618
12 982
12 982
12 206
39 325
33 929
33 929
Totalfvnds
33 929
46 911
51 531
ompanies
C¢Nnpanies Act200
with respect toaccounti*pg records andtheprpparnkn of account&

tbte of
by£#*cff tsx) tsteesldwectrf5on
Prwrt NaN*
ddim
s￿8￿1￿
Prfnt narn

Section C
Notes to the accounts
Note 1
Basis of preparntion
This sec11￿ shouldbe cyklEdby*lch*ili•s.
1.18asis of a￿OUnting
These accounts have been prtpo￿ underthe ¢>J# conwèniim *ilh item5 TaO)gnwJ at wst or
transac*on value Un￿$5 OtherW￿e ststed in the pknnt nots(sl to these actounts.
The accounts have t)een p￿pa￿d in alx0rd￿￿ wih:
the stsieftw of Regxrn￿ded PraL*e.' Actountiry and Reporting by Chaiitses
prepariro th*r acuJunts in accordan￿ with the Financial Repoibng Stsndard
apP1￿kn￿ m the UK and Repubflc of Ireland IFRS 1021 issued on 16 July 2014
. and wlh"
and wth"
the Financi￿ Reporbny Stsndaryl applK* v) the United Kmgdom and Republicof
Irdand IFRS 1021
' aNJ with Ihe CharitssAd 2011.
The tharity constibJies a p*Jlr Wefft entty as deknd by
FRS 102."
".rick as apwopriate
1.2 Goiny concem
charit￿5 ability to ¢Mtinue as a concem, th5epDY￿ fv ftsllory orslate-Not
applical)le", rfappropriate..
An eXp￿natiOn as to those faCtO￿that
support the conclusk)n that the tharrfy $
going conc*m"
Dtsdosure ofany un￿rtain￿that make the
going cOn￿M assurytson doubthjl.,
Where accoynts are not Prepty￿￿ ort a goi¥J
concern tsa$￿. P￿aSe éisdose this fact
togetherwith the bas$ on whth the trustees
prepared the a¢￿Unts and the reason why
the charity i% not regarded as a going wr￿rn.
1.3 Change of accounting policy
The accounts ptesent a true and fair and ￿ ¢*anges been rrAde b) the aixountmg polc*s adopted in
note { l.
Ye$"
No-
(l) thenatvfp of the change in accovntrngpolicy."
ii) the reasons whyapplwng th*rtewxcounUngpolicy
and

(￿1] the aR￿AtOr￿¢ adiuSln*ntfar￿cb ￿neaffeC1ed
pwknds before IIKwpresented. 144 FRS102 SORP.
1A Changes to accourrtiftg estirnate5
No changes to 2c£*)unting estimates have ocoJrrgJ in the rEptybng pwKxl13.46 FRS102 SORPI.
Ye5.
Please th"sclose.'
i) thenature of any chan
iij the effert ofthe change On inrnand É¥pense or
assets and liabilities for the eurYertrpthI.' and
(iii? wherpppctycable. the ¢ife¢tof thé ehange in one or
more lutu￿Pen0d$.
1.5 Material prior yearerrors
No matenal prior
ar errtx have been Kjentiw repo
Yes-
pe￿dI3.47 FRS102 SORP .
No"
Please dlsclose..
i) thenatwv of the priwp*¥aderrnr
amotJntof the coftection foreach accountline item
riii? theamount of thec0rnecll￿ at thebeguining of ltse
10

Seciion C
NGte5 to tk.e ac¢oun',s
Note 2
A¢¢ounling p￿￿leS
2.1 RECONCIUATIOM wrrH PREVIOUS GENE14ALLY ACCEPTED AccouKnNG
PRACTICE
SM
End
$2*

Sèction C
Noies io tne accounis
Note 2
2.2 IMCOME
NO"
¥wKi*• n*¢{&)oioJ12 FRS102 SORP).
Yes"
L•g•Gi
Nl4"
Yes"
No"
Nla"
grants
No"
Nla"
Yes.
No.
Yes"
No"
Nts"
No.
No"
NO"
b)e SOF
Yes"
NO.
Yes"
Wa"
Ye5.
No"
12

Incomofrom
mÈmborship
NO"
Yes"
¥e ￿{S.10*)5.12 FRS102
Yes"
Yes-
2.3 EXPENDrruRE AND UABIUTIES
Yes"
Nla"
Yes"
Nla.
Nla"
GrantE¥Ath
Yes"
Nla"
Nk"
co￿Jf￿0Ths
Yes"
Nl
Ye5-
NIJ.
Yes"
Nk.
Ye5.
Nla"
iftstsumonts
11.19.FRS102 SQRP.
2A ASSEtS
Ye5-
Nla.
Yes"
Nl¥
Yes.
NO"
Nts"
Yes"
Nlè"
Yes.
13

No"
Nts.
Yes"
No"
Nla"
Nla.
Yes"
No.
Nla"
Cury•ntaMBt
Yes"
NO"
Yes"
No"
Nla.
POLlaES ADOPTED
ADDmot4AL TO OR
CrfFFEREMf FROII
THOSE ABOVE
14

Section C
Noies to thè accounts
Iconti
Nole 3
Incoff
and
FWKI
Grft
ZJ4 205
51 921
56 7W2
55 702
ar#es
charilE5
Other
7703
ChariiablB
Other
tradin9
lrterest irhyffie
or￿dend irKxx
Renu 4rMI
Otker
inve51merts.'
Soparnt•
of Inco￿
Gan on dtssK)531 ota pwrwrrfre relèknJ
vestrMt
TOTAL INCOME
301 032
(Xherlntovma￿On.
I Income in Ihe wSoryearwas Unrestric￿ ¢x¢erttr.
IF4ease pro¥ide des¢rioth arn1 artkn)ufflsI
byhere any endo¥ftnentfund ixconv•rtsd intAI in th•
Materi￿.. Ipka5edi5c105ethe nalure. amrrtrtandary
ye•ramouthl
15

This yw. Where surns wiginalty denomi5￿ itt I
cuvrency have been tn in¢m, expla"nthEb*si%
¢mncy ith7*hich the accounts dr•*n wl.
rrency have included in txplanU* basi¥
which those surr¢S have r*en translated irrto s¢erfing lorthe
¢urTell￿ if1wh￿knthe 4¢cowts¥*dratrn up
16

Settion C
Noies to the accounis
Iconti
Note 4
Analysis of receipts of government grnnts
Trms year
GovemmèntgTrnt 1
G¢wernr￿nt 9rani 2
Government grdnt 3
Total
Lastyear
Govemment grant 1
Government grant 2
Govemmpnt grant 3
La5tyear
Ple45epmvide detsil$ of any
untslfilledconditions andother
contin9en¢iès attaching to grants
Please glve detrdils of otherfornjs of
governmentasststsnce fnxn whlch
the charityhas dirttybeneffted.
17

Section C
Notes to the accounts
l¢ont
Note 5
Donated goods. facilitses and services
This year
Lastyear
Use of property
This year
Please provide dèi3il$ of Ihe
accounting policy for the recognilion
anl valuation of donated 9ood4
faeillties and servi*.
Plèase provide detsils of any
unfulfilled Conditions and other
contingencies attaching to resources
from donated goods and ser4ryees not
recognised in income.
Please give details of otherfornB of
other donated 9oods and serwices not
r8¢0gnised in the accounts, e9
contribution of unpaid volunteers.
18

Stction C
Notes 1¢> the accounts
Icon
Notè 6
Expenditure
year
Ex ndthre on rai5iry lurth:
Incurred seeknng donations
Incurred seeking k92
Inojrred seeking grants
0￿ratiry rnernb&rship
schemes soGral lotteries
Staging fundraL8ing events
Fudratyng agents
0￿ratir¥j charity shw$
Operating a trading tA)rrpany
non
Advertising, marftèbng. direct
mail and publioty
Start up costs in)Jrred in
generating new source of
D3tsb8se developrrent costs
Other tradin9 a(*vths
Investrnent ITwnagement
Portrolio managerrent o)sts
Cost of obtaining investh*nt
Investrnent 3dministraton
Intelle(tual property litsntsng
49 357
49 357
40 396
5634
46 030
10 2410
10 240
10 588
10 588
Rent, Rate, property rEpai
and maintenance charges
76 965
76 965
71 730
71 730
Total exFendttur* on rdising
fvnds
136 562
136 562
128 714
134 348
Expendthre on ehariiabt¢ acbvibes..
Skill develepmenv Training-
Mission and Retreat Eypenses
Welfare Expenses
Chrlstian Edv<xtsn and
Dsc4p￿hIP
Teens and chik1￿￿ MinL5ty0
Evangelism
Cornmunty prgieL#s and
events- Young Aduts,
Ev¥ngeli5rn, Hooorarium &
Total exFenditure on
¢harrtable activ6Ues
12 885
8 251
21 136
7588
135
21 088
10 6(XJ
10 6OJ
9050
9050
6469
6308
16 193
6469
6 131
3382
8 131
3382
13 538
16 193
13 538
21 993
21 993
18 163
18 163
74 449
8251
82 699
57 853
13 500
71 353
Separate material ttem of
expense
Telephone & Intemet
Salarie5. Pensions Cost aThJ
3 136
53 484
3 136
53 484
527
527
Totsl
56 620
56 620
19

Other
Posta
e, Fre" M &
Ilotor Vehicle and Travel
Insurance
Festsval Of Lrfe
Total other expenditure
TOTAL EXPENDITURE
1 267
9356
6706
1 510
18 839
262 025
1 267
9356
6706
1 510
18 839
281 159
7 135
7294
7 135
7294
2400
16 837
292 747
16 837
284 4S%
8 251
19 134

Analysis of *xpendityrE on dwiitable acts
This
Gra
fwmfing
Last
T(￿tr￿S
GRnlfund￿9 of
Support
Total kgst
year
Comrwnty projects aftd
events- Young Aduts.
Evangelt5rn. Honofariurn &
21 9Y3
21 993
18 163
18 163
9050
27 219
Wdfare Ex
10 600
50 1(
10 6CIJ
$0 IC
9050
27 219
T¢*1
54 432
Thls year. w￿re sums Origirbatyder￿mllI1Ed in
fore￿jn currency have l>een in¢l¥ded in ex￿￿d￿r¢
explaffin the basis on whi¢h those SU￿ have bpen
trtn8￿ted int05terting lor#* ID the
I￿nts are 41rawn upl.
Last}￿r oWnaltydewmfjnè*d
explain the basi5 on whiclt thcGe suws have been
transl•ied into Sltrling lorthe GuThEwin whththe
accounts arp up
WA
21

Section C
Note5 to the accounts
Iconti
Note 7
Extraordinary iteft
This year
Last ￿ar
Extraordinary Item 1
Extraordinary it•m 2
Extraordinary item 3
Extraordlnary item 4
Total extraordinary items

Section C
Notes to the accounts
Note 8
Funds received a5 agent
D¢5criptionlnarne of party
Amount po*1
Batance held at period end
pawty (Yes
orNo
This year
Last ytar
This year
L&sty￿r
Thr8 year
La5tyear
purchase ofgoods orseThice4 please disclose details ofany bakn outslanthng tel*p¢n arypariicipating members.
tl¢s¢riplionlname ot pa
Balance held at period
This year
Last year
Toial

Section C
Notes to the a¢¢ounts
Note 9
Support Costs
Please complete this note rfthe ¢haFity has analysedits exp¢fIS￿ usirtg
Thls year
Basrs of
allocation
Ratsin
Grand t(tsl
Support C05t
exam
IDe5GriI
method)
10
10
Governan
Other
10 YXJ
10 5[¥)
Total
Last year
Basis of
allLKation
Gn
method)
RaisiThJ frJr¥ls
Actsvity i
GrwKI totsl
Support cost
exam
9050
Governan
Fees
Oiher
Totsl
Please pmvide detaffts of theaecounfyngpoliey
adopted forthe apportionmertof Costs
between actiwities andany ￿lima)0￿
techntiques used to calculate thwr
apportionmert
Compliance and AcCn￿d.
24

Section C
Notes to the accounts
Nots 10
Detsils of certain of exwidlture
Notè 10.1 Fees for examinatlon of the aeeounts
Pleaseprovide de¢aits ofthe amourtpaidforanystatsrtory ethrnalsuvtsny of
accounts and others￿l￿Sp￿¥ided byyourindepwjdwrf examiner. ff nothing
was paidplease enter V'in box(esJ.
Thts year
Last year
Independtntèxaminèrfs ftes
2050
Tax ao*isory fees
Other fees Ifor example: financ•al ad¥ice. consultancy. ac￿UntrnCy $eThi￿) paid
to the independentexaminer

Section C
Notes to the accounts
Note 11
Paid employees
Please complete thITS note rfthe chaiity has any employees (Iransactions with Trusfees deaft wlth
in Note 28)
11.1 Stsff Costs
This year
Last year
Salaries and wages
Social security costs
Pension costs (defined contribution scheme)
Other employee beneffts
49 223
2945
622
48 213
3 920
1 350
52 790
53 484
This year.
Please provide detsits of expenditure on staff working
for the Charity whose contracts are with and are paid by
a related party
Last year:
NIA
Please provide dgtails of expenditure on staff T*A>rking
for the charity whose contracts are with and are paid by
a related party
WA
Please give details of the number of employees whose total employee benefrts {￿CludIng
employerpension costs) fell within each band of ￿0.0(￿7 from £60,000 upwards. ff there arp no
such transactions. please enter I￿￿'1n the l)oxprovided.
No employees received employee benefits (excluding
employer pension costs) for the reporting period of
rnore than £60.OIXI
NIA
Band
Number of employees
This
ear
Last year
£60,000 to £69,999
£70,000 to £79.999
£80.000 to £89,999
£90.000 to £99.999
£100,000 to £109.999
This year
Last year
Please provide the total amount paid to key
24 000
24 000

11.2 Average head count in the year
The parts of the charity in which
the employees work
This year
Number
Last year
Number
Total
11.3 Ex-gratia payrnents to gmployees and others (excluding trustees)
Please complete rfan pa￿ent is mad
Please explain the nature of the
payment
This year
NIA
Last year
NIA
Please state the legal authority or
reason for making the payment
This year
WA
L7St year
NIA
This year
Last year
Please state the amovnt of the payment lor Yalue of any
waiver of a right to an asset)
NIA
NIA

11.4 Redundancy payments
Please complete rfany redundancy ortennination pwentis made in thepwiod.
This year
Last year
Total amount of payment
NIA
NIA
The nature of the payment (cash.
asset etc.)
WA
WA
This year
Last year
The extent of redundancy funding at the balance sheet
date
NIA
NIA
Please state the accounting policy for any redundancy
or terniination payments
NIA
NIA

Section C
NotÈs to the accounts
(conti
Note 12
Defined ¢onlFibution pension scheme or defined benefft SC1￿Me accounted
Thls year
Lastyear
Amount otcontribub¢n5 rocognised in the SOFA as an ¢4>Vll5e
Pleas¢ explain lthe bas6$ forallocating the Irdbibty and expenge L
TJ¥ork Pension
ptease confirm thatalthough the
scheme ts ac¢ounted foras a defined
contribution pkn, Ét 15 a defined benÈfft
aft.
NEST Pensio
Please P￿de such irrformation as is
available about the pkn's suwus or
¢Jeffi¢it and implications. rfany. for
the repo￿n9 Gharity this ￿rand Jast
year. Ildiiferwrt
NIA
Describ8 the extsntto T*hich th8 chaiity
¢an be liab￿ to the plan forollw
entities. obligations undertheterm5
ar￿ condittorts ofthe mutti*mployer
plan. Ilthis is diiferÈrrtfor last year,
provide detai
PrO￿￿e an explanation of how any
liabilty arising from an agreementwith
multtremployer pkn to fvnd a defictt
has been detÈmiined. Ilthis is different
for kistyear. providè d¢iai15
NIA
NIA

Section C
Noies lo the 3¢¢0￿￿t5
Note13
Grantmakirtg
This year:
111 Ana
of grants pal¢ lknduded in
Grartsto
Grdnisio
A(Iwrt¥ or yoie¢t 1
or
or
or
1&2 Grdrts madp to instlb
detsils of
URL.
PKovide dety
Purpt¥sè
Tcrfal *nountof
grarbts pwd t
roTAL GRAIITSPA

Last year.
13.3 Ana
sis of
Grants io
Grarts tty
Or
13A Grdnts to instlbJtson5
T(rtal amourrtof
rants
TOTAL GRANTSPA￿9
31

Section C
Notes to the accounts
Note 14
Tangible fixed assets
Please conwlele this note rflhe charityhas any tangible thdassets
14.1 CL*orvaluation
Compu*r
Equikvr*
Fith
tlttln95
Totrl
and ￿tor
equiwTMt
At the beginning of
the year
Additions
28 816
31 514
11 420
3218
149
14 T87
Revaluations
Disposals
Transfers"
At end of the s*ar
12 716
4620
28 965
46 301
14.2 D¢W￿lati￿ and impainnents
SLorRB
IStra$ht knne
or R￿u￿￿9
Ba￿n￿l
SLorRB
SLorRB
SLorR8
SLorRB
20%
20%
20%
20%
Al beginning of the
year
Otspesa
Depretsation
2543
924
5793
9260
Transfers-
Atend Oftt￿ year
924
5793
14.3 Net book value
Net book value atthe
beginning of the year
Net book value atthe
end of the year
28 816
31 514
10 173
23 172
37 041

14.4 knpairnwt
evènts andtireumstances thètled to the
e¥￿ts andcir¢umstances thatled to the
cognition orRver5al ofaft iny•irn*rttloss
14.5 Revalu7tion
Thi5 year
Last y￿r
the name ofindepen¢knt Yal(w. rfapplirable
costmtsdel.
14.6 Other drAosurts
Th65 year
last year
in the ciHtslrucfion of tangible ffxedass*ts and the captslisatson
(iij Please pmvide the amOunt¢fcontr8￿ COrnri￿ts lorthe
•¢quis￿￿ of tangiblè fixedasset&
fiii) Details of the exislence andcanyJJw•ounts ofpmperty.
planfandequiwtfo Ihe ehar5ty IMS resti1￿￿lIe orujat
- 7he Y8nsfers"NDWts 1orrfft￿Ment$b&b¥￿n fix8dassettstesw￿$.

Section C
Notes to the accounts
Icontl
Note 15
Intsngible assets
Please complete this note rfthe chwityhas any1nthn￿"b1e assets
15.1 Cost or valuation
Resea￿h &
devdopwent
Paterts and
At beginning of tr
D￿posaL5
Revaluations
Transfers"
At end ofthe
15.2 Amortisation and impaimients
is
SLorRB
SLcfRB
SLorRB
SL￿R8
StraKJht tine
I'SL") c
R&Juong
Balan
1"F￿")
~ Rate
At LEginning olthè
D￿puS815
Amortisabon
Impaiment
Transfers.
At and of
1S.3 Net book value
Net boc* value at the
beginning of the year
Net bod( value at thè
end ofthe sear
1S.4 A¢counling policy
Please dis¢lose the a¢¢ourtingpolicyforintangNble fixed assets including..
Reosons for choosing
an￿rtiSa￿on rntes
Polieies forthe recognilron of any
capital development

15A Impalm￿nt
This year.
Please pmvide a descnption of the events and
circumstsn¢es ttiat led to th• rneognjkn or
rever531 ofan ImpalrnJ¢fttbss
Last year.
Pleaseprovide a descrfption of the evènts and
circumstances that led io the reeogniiion or
reversal of an 1mpalrn￿nt loss.
15.6 Revaluatio
Last year
the name of independent fdlu¢r. rf4¥plieabl•
the methods applled
recognised had the assets l)een ¢aniedunder
the costm¢>del.
15.7 oth•r diselosurns
(i) If yourintangible assètwas aequiredby*dy
of grart provfflde value on iniiial recognition and
carying amount ofthe 3ss•L
(Il) Delaits of the can￿ arnounts
intèngiblt assets to which the ¢hartity has
liabilities.
fiii) PleaseprDvide the amountof ¢ontra¢ttMI
commitments forth¢ aequisitm olintangible
) Stat¢ the an￿￿nt0f resear¢h and
development expendi￿￿ ￿¢09￿l$edaS
expenditure in the year.
(v) Please delail the headings in the SOFA in
which a charge foramothatson of intangible
assets is in¢lud¢d.
{￿) Forany matwialintangA¥leass* tss•
pmvfflde a description. its carying amountaftd
any remaining am0rtisal1￿I)eri0d.
. 7he transfers"rcwis hrrnoveffents betb*en héda￿l t¥tw*s.
- Please inthate Ihe method OfdeprÈtsati￿ by delelmg the n￿lI￿XIMrap￿Kab1e (SL = straghtfjne," RB= reducing
balan￿). AL50 ple&%e irtlAcate tt)e rate of¢*'atson.' I￿e. w*atis the anbupatedlife oflhe assèt (in years),.
reducing balan￿, whatis the perGent3gg al￿￿1￿$(￿￿.

Section C
Notes to the accounts
Note 16
Please ¢¢mplète thi$ noterfthe chantylBs hwitage assets
16.1 Gener41 discltssurts forall charities holding heiitage a55ets
This year
UI ExFAain the natuTr and ¢1
ill Éxplarn the poficy forthe
acquisityonl preservation.
management and di5P05al of
16.2 Costgf*dluation
Total
At beginniw of the year
AddTi+Jn5
Orsposals
Revaluations
Transfers-
At end Of the )ear
16.3 Depreciaton *¥d w*paimiÈnts
-8ask5
strawJht Line
I'SLI or
Reduo
Balan
At beginning of th? year
Disposal$
lrnpairnEnt
Transfers"
Atend of >EaT
16.4 Net book
Net book value at ¢he beg￿n￿¥￿ of
the ￿ar
Net book value atlhe end of the Jear

16.5 Imwrnjent
Thts year
Lastyear
Pleaseprnvide¥ ￿E5￿p￿•￿ Ofthe èvents aftd
eirtum$taftces thatled lo theftEcognitson orreversalof an
impalm￿nt￿s$.
16.6 Revaluatlon
This yoar
Last ywr
qualrflcattons OfIn￿￿#￿ValU
Anysigrtific8ntlimitstrons on the valualion
1b.i Anarysts assus ry class wgroup ano Tnose al
At¥al￿D￿n
Gro￿ A
At C05t
Gmup B
T*)#1
Cawng aftunt at Ihe bwnrmng of
the period
Add￿On$
Disposals
Revaluabon
Carryiw anJ)unt atthe end ofwK
This year
lil Explain the reason why
heritage assets have not been
lill Describe the signrficatK¢ and
nature of heritage assets.
liiil Di5Glose information that i
helpful in assessing the value of
heritsgÈ assets.
liv) Explain the reason why it 15
not prdcticable to obtain a
valuation of l*iiiage assets.

2015
2014
2013
2012
2011
Pur¢hases
Group A
Group B
Group C
¢kner
Oonations
Group A
Group B
Group C
Other
Totsl additi.ons
Charge for inpairnerrt
Group A
Group B
Group C
Other
Total charge for1mpa1m￿nt
Dtsposals
Group A- czrryiry arTr)unt
Group B- Lxrrwry amtyjnt
Group C
Other
Totsl di$pwL%

Settion C
Note5 to the accounts
Note 17
17.1 Fixed assets investments IplÈasÈ provid¢ for ea¢h ¢lass of investrnenv
rAsh &
Totsl
carr￿￿￿ ltsw) OF
Addlldedud>: trartsfer IV1￿)
Ad￿(dEdUCtI. rt go¥￿[￿)$5} (xi
revaluati)n
Crn Ifarl vath ate￿ of
17.2 Pleast provide a bmkd*>Wrt of investments Shown abo￿ a9￿￿1th9 With Ih¢ balan¢*
$h¢¢t row B04 diffÈTrntiating be￿￿èrt those held atlair¥alue and those held at cost less
Ana￿%15 of investm￿ts
F4Wr￿vElly0lr*Thl
C¢*tles¥
TL*al
Last year.
Anatysrs of inve5fThnts
F•r¥*h*atyw•Thl
im
iiment
Soclal inv8slmorts

173 Ifjwur charity holts illTrtstrent properties, pkas• ¢ompW• the fol¢Y*ing
notÈ:
This ￿#r
Lastyèar
the charity
fill orindewid•ntvabM,
liiil Pthdo ¢Jet•ls of any rnstric￿ on tho abltyto
or disposal pro¢88ds
repai￿ rnalntenance enhanC￿Trts
17A Please providea bwkdo¥m of CUnEntass*t in¥esln*Trt& rfapplicabl*, a9r*eing
Cash or cash equivalents
Soclal inv•simÈnts
Total
17.5 Guarantees
Thi¥ s*ar
Lastyear
to oron bohalF ota third F*ty
airns

17.6 Con¢essionary loans
lopns made may beth$¢I(￿ed1￿dgty¢Pts
IM(rftsple loansrec*rV￿nBYbe ¢6selosedi
Toial
Lastyoar
pmwded
boen committed but Tr)t*aken up atthe
17.7 Additsonal ittfonmlion
Significance of 1Th￿st￿￿ tothe
ffinancial positton ¢y Momwi￿ey. ter
and cor￿￿¢￿ of lo¥* ortho of h8dging
to mandge fuwncfjal
Forall inTrtstmprts mEAwred *f•r the
ba515 for detemiinNwtr*valuè. induding any
techniquo.
a5 aforn ofse¢urity. thèeatrylng *nouth
For all irNe5tIr￿rt5 nf45ured atfairvalue. the
basis for thpvalug, Jncludujg any
tschniqup.
as a fomi ofsEcurity. the caryiTrJ •rK•untof
tern￿ and condition5 rptaling to
41

Section C
Notes to the accoLtnt5
Icontl
Note 18
Stocks
1&1 Please slats th• ¢anying amount of stodK and work In progRss analysed between
activrtie
Donated goods
Work in
For
distribution
For resalè
For
trtbutton
Charitable activib•S:
Opening
Impaired
Othertrddin9 acti¥ilies:
Owyng
Other.
Addedin p¢Thod
Impaired
Totsl this y•ar
Totslprevious y
This
18.2 Please specfy the carryin9 amoLtnt of
any 5to¢ks pledged a5 security for liabilities

ction C
Notes to the accounts
Ico
Note19
Debtors and prepayments
Please complete this note rfthe charityhas anydebtots Qrprepa￿ents.
19.1 Analysis of debtors
This year
Last year
Trade debtors
Prepayments and accrued income
Other debtors
2491 0
2491 0
Total
2491 0
2491 0
Complet¢ 19.2 where a material 4kbtoris recoverable more than a year after the
reporting date.
19.2 Disclosure of debtor5 recoverable in more than 1 year {inc14Kled in debtors
above)
This year
Last year
Trade debtors
Prepayments and accrued income
Other debtors
Total

Section C
Notes to the accounts
Note 20
Creditors and accruals
Please complete this note rfthe chaiityhas any creditors or accruals
20.1 Analysis of creditors
Amounts falling due
within one y¢ar
Amounts falling due
after more than one
year
This year
Last year
This year
Last year
Accruals for grants payable
Bank loans and overdrafts
Trade credito
14 364
24 042
Payments received on account for
contracts or perfornlan¢e￿eIated grants
Accruals and deferred in¢ome
Taxation and social security
Other creditors
1 255
5449
Totsl
14 364
30 746
20.2 Deferred income
Please complete this note rfthe chaiity has defen
This year
Last year
Please explain the reasons why incomè
is deferred.
This year
Last year
Movement in defeffed income a¢count
period
Amounts added in current period
Amounts released to income from previous periods
Balance at the end of the reporting peri<>d

ction C
Notes to the accounts
Ico
Nots 21 Provisions for liabilities and charges
Please complete this note rfyou have included in chaiity expenditure anyprovision&
A pmvision is made when the charity has a liatx.lity of uncertain timing or amount.
21.1 Movements in recognised provisions and funding commitinent during the period
This year
Last year
Balance at the start of the reporting period
Amounts added in current period
Amounts charged against the provision in the Gurrent period
Unused amounts reversed during the period
Balance at the end ol the reporting period
21.2 Please provide:
- a brief description of any obligations on
the balance sheet and the expected amunt
and timing of resulting pa￿￿nts.
This year
Last year
- an indication of the uncertainlies about
the amount or timing of those ouffiows". and
- the amount of any expectrd
reimbursemen( slating the amount of any
asset that has been recognised for that
expected reimbursemenL
This
Last year
21.3 For any funding commitinent that is
not reco9nised as a liabilty or provision.
provide detsils of commitment made, the
time frame of that comrnitment any
perforniance-related conditions and details
of how the commitment will be funded {with
ontracts for capital expenditure separatety
identified).
21.4 Where unrestricted funds have been
designated to a fund commitmen¢ pl&tse
disclose the nature of any amounts
designated and the likely timing of that
expenditure.

Section C
Notes to the accounts
Note 22 Other disclosuves for debtots, creditors and other basic
financial instruments
This Year
Yeat
22.1 Please
provfftde
inforniation about
the signifi￿nCè
of financial
instruments leg.
debtors,
credttors,
invèstments etcl
to the charitys
financial position
or perforniance.
for example. the
tsrms and
conditions of
loans or the use
of hedging to
manage financial
risk.
22.2 ff the charity
has provided
financial assets
as a form of
security, the
carying amount
of the financial
assets pledged as
security and the
ternts and
conitions related
to its pledge
should be given
here.

Section C
Notes to the 3ccounts
Iconti
Note 23 Contlngent liabilibe5 and contingtniassets
23.1 Contingent liabilibes
po&sibilty Ofthèir¢xtste￿8 15 remole.
This y¢or
De5CriPtiortr of rtem including r15 18gal nature.
Please describe any security prowded in
connection to liatslity.
Last
Description of Trtem includiny ils le9af nabJrÈ.
Pka5e describe any security FKo¥ided in
connection to the li4biiity.
23.2 Cofttingent assets
eX￿tence is wobabltr
This year
Last year
Estsrnate offinancHI effect
4 I￿rdISCI05uTe5 for cOrtin￿t assets andor1obilil•e5
Thts year
Lastyear
Expkin any uncertainties relatiThJ toth&
amount ortirning of 5ettlemen( and the
possibilty of any reimbur5erne
VlhÈre ff& is pr4Gti¢al to make one or more
47

Section C
Notes to the accounts
Note 24 Cash at bank and in hand
This year
Last year
Short terni cash investments {less than 3 months matuiity
Short terni deposits
Cash at bank and on hand
other
Totsl
12 483
35 490
12 483
35 490

Section C
Notes to the accounts
Icontl
Note 25
FaIrrdI￿ of assets and liabllllles
25.1 Pkase provide detsiis of the ctr•ity
exposurn to ¢rÈdil risk lth• risk of
incurring a k*s due to a detrtor paying
what k8 owed). liwidty Ti5k lthe risk of n(
being ab￿ to fflvotshorttsrm firwi¢ial
demandsl and market risk Ithe risk that the
value of an investmentwill fall 19
changes in the mark￿) arising from
financial iYtstrurnÈnts to which the dwrity
15 exposed at the end ofthg reporting
F4riC4J and exptain h)wthe clwity
25.2 Pl&aso 9ivo dètsiL% of tr*8mount4f
chango in the fair of IMsi¢ fin￿1￿1
invostmtrnts Ig•e section 11. FRS 102
SORPII rn&75ured atfair Val￿ through thg
SOFA thatis attrilxrtable to changes in
Credit rrsk

Section C
Notes to the accounts
Ico
Note £b"
nr+rirJrJ
Please complete this note èvents (notrequiring adJusIn￿nt to the accounts) have occunpdafter the
end of the reporting pèriod bul befo￿ the accounts are aulhoiised which relate to conditions that
an)se after the endof the rePo￿n9P*nod.
￿Ven￿ aTrer tne ena OT ￿e reporung
This year
Last year
Please provide detsils of thè nthre of the
event
Provide an tstimate of the financial effect
of the evènt or a statement thatsuch an
èstimate cannot be made

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111-
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1111111111

Section C
Notes to the accounts
Iconti
Note 27
Charity funds (cont)
27.3 Transfers betwwn funds
This year
Rth￿On fortsansfer and whern endowment is ¢onverted to
income. legal powerfor its conversion
There was a transfer from the uniestrided fund to restricted fund of
£3231 to meet the objedive ol the (*arty.
Amount
Belween unrèstri(aed and
restricted fvnds
3 231
8etsYeen endowment and
restricted funds
Betwèèn endowment an
unrestricted fvnds
3 231
Last
Reason for transferand where endowment is Converted to
income. legal power for ils conveysion
Amount
BefvrfÈèn unrestricaed aThJ
restricted funds
Be￿een endowment and
restricted funds
Befvleen endvwment and
unrestricted funds
27A Designated funds
This year
Planned use
Purpose ofthe dÈsi
Amount
Last
ear
Planned us•
Purpose of the designatbon
Amount

Section C
Notes to thè accounts
l¢onti
Note 28
Transactions with tn￿ and related parties
Ifthe chaiity has anyts1￿CtionS with r￿atedParties (oth¥than the frxlstee expenses explwnÈdin
guidancertotesj details ofsuch transactions ￿0￿ldbe￿oV1￿ed•n this note. ff thtteAre no trnnsactions
2&1 Trustee l¢mur￿a￿on and benèffts
This year
N¢>ne ofthe trustees haNE been paid any remuneration or retyT￿d any ¢Jtr*r benefits
from an ernpl0y￿nt with thelr charity ora rewed entity (Tn* or Falsel
NIA
legal airthorityfor. any remunerdtron ori7YwbenefitspidfO a Ifustee bythe charityoranyinststsrtion or
aulhoiity189
Petslon
Redur•Janc
yltncludi
TOT
Name oftn
officeyex
Please gwe details ofwhyremuneAkn
otheremployment benefits were pa
8 t￿￿te￿. prDvyde an èxplanalion olthe naturp
ofthe payment
Ir4 thirtyparty been reimlwrsedfor
providing one ormore trustees. statethe nakn?
ofthepayrnertaftdanwjrtofthe
reimbursèmenL
St•te the numberoftrustees lo whom
retir8mentbenÈffts areaccruing undera
defin¢d contril)ulionpension schen

Lastytar
from an ernploymetrtwith their charity ora relatsd entity or Fa15el
In theperiodthe chèrityhaspaidbysiees wpuneration andlJ¢neffts. Pl￿se9•ye theamowitof and
legalauthoiity for, anyremunw*M orotherbenefftspaid to a trusiee by the chaiity tyanyinstitution or
authority leg
Re4fundanc
TOTAL
go¥erniThJ
oTreyex
gratsa
Please give details of wtsyrEmuneRtioR or
otherernploymentbeneffts werppaid.
of thepaymenL
If a thirdpartyha5 ljeen rwmbtsrsedft
of thepaymertt￿dafflOuntof the
rwinbursement
retirement beneffts are accruing undera
definedcontrIbut￿ pen&on seh
28.2 Trusteès. expenses
Irthe charityhas paid truslees forfvlfihyng thwrdube4 detalls 01St￿ transaetiM$ shouldbe
prnvid￿1n this note. Ifthere8re no transadions to W ￿eaSe enfer ift the box below. Iflhwv
Thi5 year
Lastyear
Travel
Subsistence
Accommodation
Other (please Spe￿}.
TOTAL

Please provmle the numberoftn45tees Mrnbutsed for
expense5 orwho had expenses paid by the charity
28.3 Transaction(sl with related paths
Plea5*gNe details of anyfran5adion undetskert byloron behalf oo (he Charityin which è relatedparty
has • malw1alinie￿s¢ incluthng where funds ha¥ebeen h￿￿8$agent [Dr￿aledpart1¢> If there aTr rto
This year
Amounts
written off
during
porting
Pr￿lSIOn for bad
dètts at ￿rIOd end
Name of the trustee
or relateil porty
to chaiity
tran5xt1￿￿Sl
In r8lali¢>n to the Iransathns alJove. pl88se
pm¥id¢ the lemis and eonditsons, iftcludingany
security andth¢ ￿￿￿re of anypayment
(consid8rnfr0ft) to bepmwdedin seirfem¢rt
Foranyrelatedpaty. Ple￿ ￿vIde deia4s of
any guaTrnte¢s given oriEc¢ived.
Last year
There ha* b8en no rEl•tÈd party twsacbon5 in the r¢portlng pwiod or F*el
zzsizz
Amour
written ¢>ff
during
repoTting
period
Name ofthe trustee
or rvlated party
Relationship
to chanty
Balan¢e at
debts at period Ènd
In relation to the transactions èbove. please
pmvide the fern￿ and condilr¢)ns. incluthng any
$￿UrItyénd the nalurp ofanypaynrnt
(¢onside*3ti¢w) to bèpmvidedin setuem
Forafty relatedparty. pleaseprovide ¢*tsits of
anyguarantee5 oriBceiv¢

Section C
Notes to the accounts
{contl
Note 29
Additional Disclosures
The following are significant mattets which are not covered in other notss and need to be included to
provide a proper understanding of the accounts. If there is insufficient room here. please add a
separate sheeL